Job Description
Team: Finance
This position is posted by Jobgether on behalf of a partner company. We are currently looking for an FP&A Manager in Spain.
This role is a key finance position within a fast-growing, international SaaS environment focused on data-driven decision-making and scalable growth. You will take ownership of core financial planning and analysis processes, ensuring accuracy, transparency, and strategic insight across the business. Acting as a trusted partner to senior stakeholders, you will support critical decisions across Sales, Marketing, and Product functions. The position combines hands-on financial modeling with strategic business partnering, requiring both technical depth and commercial understanding. You will play a central role in budgeting, forecasting, and performance tracking, helping to translate financial data into actionable business recommendations. This is a high-impact role where your analysis directly influences operational efficiency and long-term company growth.
Accountabilities:
- Own and maintain integrated three-statement financial models (P&L, Balance Sheet, Cash Flow), ensuring accuracy and consistency across all financial reporting.
- Lead cost controlling activities, monitoring OPEX, analyzing cost drivers, and supporting efficient resource allocation across departments.
- Act as a strategic finance partner to business leaders in Sales, Marketing, and Product, supporting budgeting, forecasting, and ROI analysis.
- Monitor and analyze SaaS KPIs such as ARR, Net Revenue Retention, CAC Payback, and other key performance indicators.
- Coordinate rolling forecasts and contribute to the annual budgeting process in collaboration with cross-functional teams.
- Prepare monthly management reporting packages, including financial insights for leadership and investor-facing materials.
- Support continuous improvement of financial processes, tools, and reporting automation initiatives.
- 3–5 years of experience in FP&A, Corporate Finance, Controlling, or similar roles, ideally within SaaS or large-scale professional services environments.
- Strong expertise in financial statements and deep understanding of P&L, Balance Sheet, and Cash Flow integration.
- Solid controlling mindset with strong attention to detail and the ability to challenge and analyze spending patterns.
- Good understanding of SaaS business models, including subscription revenue, revenue recognition, and key growth drivers.
- Advanced Excel or Google Sheets skills, with experience in financial modeling and data analysis.
- Familiarity with BI tools (e.g., Tableau, Power BI) and ERP-to-FP&A integrations is highly valued.
- Strong analytical and problem-solving skills with a structured and data-driven approach.
- Experience leveraging AI tools or automation to enhance financial processes is a strong plus.
- Excellent communication skills in English; German is considered an advantage.
- Flexible working hours and strong emphasis on work-life balance.
- 33 vacation days per year.
- Access to wellbeing support programs and corporate discounts.
- Remote-friendly environment with international collaboration opportunities.
- Access to modern tech tools and equipment to support your work.
- Team culture that encourages collaboration, innovation, and knowledge sharing.
- Additional perks such as referral bonuses and employee engagement initiatives.
Requirements:
Benefits:
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Date Posted
04/14/2026
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